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Our funds' net asset values

Our investment approach is intended to offer as much transparency as possible. Our funds in a nutshell:

Thematic

Funds
Latest NAV
Net asset value
2025 performance
5-year performance
Funds
Latest NAV
06.17.2025
Net asset value
€483.09
2025 performance
7.95%
5-year performance
12.82%
Funds
Latest NAV
06.17.2025
Net asset value
€532.2
2025 performance
8.2%
5-year performance
15.71%
Funds
Latest NAV
06.17.2025
Net asset value
€438.66
2025 performance
7.7%
5-year performance
10.08%
Funds
Latest NAV
06.17.2025
Net asset value
€492.6
2025 performance
8.2%
5-year performance
15.7%
Latest NAV
06.17.2025
Net asset value
€163.11
2025 performance
5.7%
5-year performance
32.98%
Latest NAV
06.17.2025
Net asset value
€149.4
2025 performance
5.24%
5-year performance
27.56%
Latest NAV
06.17.2025
Net asset value
€94.17
2025 performance
5.68%
5-year performance
Latest NAV
06.17.2025
Net asset value
€197.12
2025 performance
7.98%
5-year performance
55.55%
Latest NAV
06.17.2025
Net asset value
€181.68
2025 performance
7.51%
5-year performance
47.9%
Latest NAV
06.17.2025
Net asset value
€163.54
2025 performance
7.96%
5-year performance
55.43%
Latest NAV
06.17.2025
Net asset value
€93.96
2025 performance
-2.74%
5-year performance
Latest NAV
06.17.2025
Net asset value
€949.81
2025 performance
-2.6%
5-year performance
Latest NAV
06.17.2025
Net asset value
€1,079.8
2025 performance
-2.6%
5-year performance
Latest NAV
06.17.2025
Net asset value
€95.71
2025 performance
8.3%
5-year performance
Latest NAV
06.17.2025
Net asset value
€94.11
2025 performance
-2.72%
5-year performance
Latest NAV
06.17.2025
Net asset value
€90.8
2025 performance
-3.14%
5-year performance
Latest NAV
06.17.2025
Net asset value
€178.17
2025 performance
-0.64%
5-year performance
Latest NAV
02.07.2024
Net asset value
€0
2025 performance
-100%
5-year performance
Latest NAV
06.17.2025
Net asset value
€1,792.72
2025 performance
-0.5%
5-year performance
Latest NAV
06.17.2025
Net asset value
€174.11
2025 performance
10.63%
5-year performance
Latest NAV
06.17.2025
Net asset value
€177.35
2025 performance
-0.61%
5-year performance
Latest NAV
09.15.2022
Net asset value
€0
2025 performance
-100%
5-year performance
Latest NAV
06.17.2025
Net asset value
€168.77
2025 performance
-1.04%
5-year performance
Latest NAV
06.17.2025
Net asset value
€169.29
2025 performance
-1.05%
5-year performance
Latest NAV
06.17.2025
Net asset value
€142.02
2025 performance
-0.87%
5-year performance
Latest NAV
Net asset value
2025 performance
5-year performance
Latest NAV
06.17.2025
Net asset value
€178.46
2025 performance
-0.62%
5-year performance
Funds
Latest NAV
06.17.2025
Net asset value
€89.41
2025 performance
10.89%
5-year performance
Funds
Latest NAV
06.17.2025
Net asset value
€85.56
2025 performance
10.89%
5-year performance
Funds
Latest NAV
06.17.2025
Net asset value
€86.14
2025 performance
10.42%
5-year performance
Funds
Latest NAV
06.17.2025
Net asset value
€85.13
2025 performance
10.43%
5-year performance
Latest NAV
06.17.2025
Net asset value
€125.49
2025 performance
-2.5%
5-year performance
Latest NAV
06.17.2025
Net asset value
€1,268.14
2025 performance
-2.38%
5-year performance
Latest NAV
06.17.2025
Net asset value
€128.11
2025 performance
8.48%
5-year performance
Latest NAV
06.17.2025
Net asset value
€124.36
2025 performance
-2.58%
5-year performance
Latest NAV
06.17.2025
Net asset value
€121.26
2025 performance
-2.91%
5-year performance
Latest NAV
06.17.2025
Net asset value
€90.86
2025 performance
-7.62%
5-year performance

Multi-themed

Funds
Latest NAV
Net asset value
2025 performance
5-year performance
Latest NAV
06.17.2025
Net asset value
€868.92
2025 performance
9.46%
5-year performance
Latest NAV
06.17.2025
Net asset value
€790.5
2025 performance
9.2%
5-year performance
Latest NAV
06.17.2025
Net asset value
€107.35
2025 performance
9.71%
5-year performance
Latest NAV
06.17.2025
Net asset value
€135.16
2025 performance
9.71%
5-year performance
Funds
Latest NAV
06.17.2025
Net asset value
€6,497.15
2025 performance
10.56%
5-year performance
32.43%
Funds
Latest NAV
06.17.2025
Net asset value
€5,706.62
2025 performance
10.05%
5-year performance
25.13%
Latest NAV
06.17.2025
Net asset value
€627.58
2025 performance
10.96%
5-year performance
63.62%
Latest NAV
06.17.2025
Net asset value
€543.04
2025 performance
10.58%
5-year performance
55.59%
Latest NAV
06.17.2025
Net asset value
€549.08
2025 performance
10.45%
5-year performance
55.74%
Latest NAV
06.17.2025
Net asset value
€555.69
2025 performance
10.91%
5-year performance
63.4%
Latest NAV
06.17.2025
Net asset value
€195.99
2025 performance
10.72%
5-year performance
59.59%
Latest NAV
05.21.2025
Net asset value
€0
2025 performance
-100%
5-year performance
-100%
Latest NAV
06.17.2025
Net asset value
€160.13
2025 performance
12.75%
5-year performance
72.8%
Latest NAV
06.17.2025
Net asset value
€141.27
2025 performance
11.08%
5-year performance
66.44%
Latest NAV
06.17.2025
Net asset value
€176.06
2025 performance
10.87%
5-year performance
63.25%
Latest NAV
06.17.2025
Net asset value
€171.65
2025 performance
10.87%
5-year performance
63.25%
Latest NAV
06.17.2025
Net asset value
€161.62
2025 performance
10.47%
5-year performance
55.44%
Latest NAV
06.17.2025
Net asset value
€161.63
2025 performance
10.47%
5-year performance
55.44%
Funds
Latest NAV
06.17.2025
Net asset value
€101.67
2025 performance
-0.58%
5-year performance

Flexible

Funds
Latest NAV
Net asset value
2025 performance
5-year performance
Funds
Latest NAV
06.17.2025
Net asset value
€346.08
2025 performance
4.53%
5-year performance
-1.44%
Funds
Latest NAV
06.17.2025
Net asset value
€321.02
2025 performance
4.28%
5-year performance
-3.49%
Funds
Latest NAV
06.17.2025
Net asset value
€377.34
2025 performance
4.91%
5-year performance
1.74%
Funds
Latest NAV
06.17.2025
Net asset value
€330.36
2025 performance
4.91%
5-year performance
2.08%
Funds
Latest NAV
06.17.2025
Net asset value
€1,849.91
2025 performance
5.11%
5-year performance
22.76%
Funds
Latest NAV
06.17.2025
Net asset value
€1,674.37
2025 performance
4.77%
5-year performance
18.12%
Funds
Latest NAV
06.17.2025
Net asset value
€1,457.4
2025 performance
4.5%
5-year performance
14.26%
Funds
Latest NAV
06.17.2025
Net asset value
€1,809.7
2025 performance
5%
5-year performance
21.44%
Funds
Latest NAV
06.17.2025
Net asset value
€1,624.8
2025 performance
5%
5-year performance
21.44%
Funds
Latest NAV
06.17.2025
Net asset value
€95.5
2025 performance
4.6%
5-year performance
17.2%
Latest NAV
06.17.2025
Net asset value
€149.43
2025 performance
1.87%
5-year performance
15.25%
Latest NAV
06.17.2025
Net asset value
€173.26
2025 performance
2.35%
5-year performance
20.92%
Latest NAV
06.17.2025
Net asset value
€142.98
2025 performance
1.88%
5-year performance
15.25%
Latest NAV
06.17.2025
Net asset value
€123.51
2025 performance
13.41%
5-year performance
17.62%
Latest NAV
12.15.2023
Net asset value
€0
2025 performance
-100%
5-year performance
Latest NAV
06.17.2025
Net asset value
€94.47
2025 performance
0.78%
5-year performance
9.87%
Funds
Latest NAV
02.05.2025
Net asset value
€99.57
2025 performance
3.19%
5-year performance
-0.52%
Funds
Latest NAV
12.14.2023
Net asset value
€0
2025 performance
-100%
5-year performance
-100%
Funds

ESC Convictions R

FR0013344322
Latest NAV
06.17.2025
Net asset value
€101.85
2025 performance
0.48%
5-year performance
4.37%
Funds

SP Convictions R

FR0013154499
Latest NAV
06.17.2025
Net asset value
€106.6
2025 performance
-3.59%
5-year performance
2.95%
Latest NAV
06.17.2025
Net asset value
€111.56
2025 performance
1.98%
5-year performance
15.69%
Latest NAV
06.17.2025
Net asset value
€114.84
2025 performance
2.28%
5-year performance
19.83%
Latest NAV
06.17.2025
Net asset value
€116.34
2025 performance
2.28%
5-year performance
19.58%
Latest NAV
06.17.2025
Net asset value
€116.64
2025 performance
2.26%
5-year performance
19.85%
Latest NAV
06.17.2025
Net asset value
€112.95
2025 performance
-1.11%
5-year performance
10.2%
Funds
Latest NAV
Net asset value
2025 performance
5-year performance
Funds
Latest NAV
06.17.2025
Net asset value
€105.82
2025 performance
1.03%
5-year performance
Latest NAV
06.17.2025
Net asset value
€111.41
2025 performance
0.94%
5-year performance
Funds
Latest NAV
06.17.2025
Net asset value
€108.32
2025 performance
-0.24%
5-year performance
Latest NAV
06.17.2025
Net asset value
€113.49
2025 performance
-0.47%
5-year performance
Latest NAV
Net asset value
2025 performance
5-year performance
Latest NAV
06.17.2025
Net asset value
€100.43
2025 performance
-0.56%
5-year performance
Latest NAV
06.17.2025
Net asset value
€115.46
2025 performance
-0.88%
5-year performance
Latest NAV
06.17.2025
Net asset value
€91.79
2025 performance
-3.81%
5-year performance

Credit

Funds
Latest NAV
Net asset value
2025 performance
5-year performance
Latest NAV
06.17.2025
Net asset value
€143.53
2025 performance
2.05%
5-year performance
13.64%
Latest NAV
06.17.2025
Net asset value
€103.1
2025 performance
2.05%
5-year performance
13.63%
Latest NAV
06.17.2025
Net asset value
€133.79
2025 performance
1.8%
5-year performance
10.49%
Latest NAV
06.17.2025
Net asset value
€122.54
2025 performance
13.32%
5-year performance
13.58%
Latest NAV
06.17.2025
Net asset value
€107.86
2025 performance
1.79%
5-year performance
10.31%
Latest NAV
06.17.2025
Net asset value
€117.46
2025 performance
2.07%
5-year performance
13.66%
Latest NAV
06.17.2025
Net asset value
€103.75
2025 performance
2.07%
5-year performance
Funds

Sycoyield 2026 IC

FR001400A6X2
Latest NAV
06.17.2025
Net asset value
€118.19
2025 performance
1.84%
5-year performance
Funds

Sycoyield 2026 RC

FR001400A6Y0
Latest NAV
06.17.2025
Net asset value
€116.51
2025 performance
1.6%
5-year performance
Funds

Sycoyield 2026 ID

FR001400H3J1
Latest NAV
06.17.2025
Net asset value
€107.99
2025 performance
1.84%
5-year performance
Latest NAV
06.17.2025
Net asset value
€110.04
2025 performance
1.74%
5-year performance
Latest NAV
06.17.2025
Net asset value
€110.02
2025 performance
1.74%
5-year performance
Latest NAV
06.17.2025
Net asset value
€109.35
2025 performance
1.53%
5-year performance
Latest NAV
06.17.2025
Net asset value
€109.98
2025 performance
1.74%
5-year performance
Funds

Sycoyield 2030 IC

FR001400MCP8
Latest NAV
06.17.2025
Net asset value
€109.82
2025 performance
2.51%
5-year performance
Funds

Sycoyield 2030 ID

FR001400MCR4
Latest NAV
06.17.2025
Net asset value
€106.36
2025 performance
2.51%
5-year performance
Funds

Sycoyield 2030 RC

FR001400MCQ6
Latest NAV
06.17.2025
Net asset value
€109.04
2025 performance
2.27%
5-year performance
Latest NAV
06.17.2025
Net asset value
€105.23
2025 performance
1.86%
5-year performance
Latest NAV
06.17.2025
Net asset value
€104.53
2025 performance
1.84%
5-year performance
Latest NAV
06.17.2025
Net asset value
€104.95
2025 performance
1.75%
5-year performance

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